ensures the accuracy and integrity of financial information. Provide effective management of the office environment and accurately capture payments on the accounting system as well as prepare monthly management accounts; Masterfile information (creditors, debtors, payroll, assets, etc.) on the accounting system; Manage liabilities petty cash; Provide accounting and financial information and responses to risk, audit and other assurance the fixed asset register; Coordinate financial information for independent audits Additional functions may
configure and support all Microsoft Server Operating systems Server and Networking Troubleshooting on IT related